Please use this identifier to cite or link to this item: http://hdl.handle.net/11701/4019
Title: Fuzzy set analysis of stock investment risks (on the example of PJSC GAZPROM)
Other Titles: Нечетко-множественный анализ рисков фондовых инвестиций (на примере ПАО "Газпром")
Authors: Колбин Вячеслав Викторович
Иванчихина Арина Викторовна
Ivanchikhina Arina
доктор физико-математических наук, профессор В.В. Колбин
Doctor of Physics and Mathematics, Professor V.V. Kolbin
Issue Date: 2016
URI: http://hdl.handle.net/11701/4019
Appears in Collections:BACHELOR STUDIES



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